Valor Intrínseco del S&P y Nasdaq Contáctenos

Todas las Acciones

39,753 stocks  ·  Página 8 de 398

# Symbol Company Price Change Market Cap Volume Sector
701 MDLZ MDLZ Mondelez International, Inc. $57.84 +0.28% $74.24B 6.15M Consumer Defensive
702 NU NU Nu Holdings Ltd. $15.35 +2.68% $74.16B 40.91M Financial Services
703 GM GM General Motors Company $79.46 +3.42% $74.13B 5.5M Consumer Cyclical
704 MIELF MIELF Mitsubishi Electric Corporation $36.14 -0.57% $73.96B 3.2K Industrials
705 PSBKF PSBKF Postal Savings Bank of China Co., Ltd. $0.67 0.00% $73.94B 4K Financial Services
706 CP CP Canadian Pacific Kansas City Ltd. $82.19 +0.93% $73.79B 1.67M Industrials
707 VOLVF VOLVF AB Volvo (publ) $35.41 +6.69% $73.76B 2.7K Industrials
708 RMFGX RMFGX American Funds American Mutual Fund Class R-6 $60.78 +0.66% $73.75B - Financial Services
709 AMRFX AMRFX American Funds American Mutual Fund $60.72 +0.66% $73.68B - Financial Services
710 AEP AEP American Electric Power Company, Inc. $135.46 +0.75% $73.63B 3.16M Utilities
711 AMXVF AMXVF América Móvil, S.A.B. de C.V. $1.05 +7.14% $73.58B - Communication Services
712 B B Barrick Mining Corporation $43.85 +1.93% $73.46B 7.83M Basic Materials
713 MNST MNST Monster Beverage Corporation $75.05 -0.17% $73.41B 5.68M Consumer Defensive
714 VOLAF VOLAF AB Volvo (publ) $36.10 0.00% $73.41B 251 Industrials
715 RMFEX RMFEX American Funds American Mutual R4 $60.45 +0.65% $73.35B - Financial Services
716 VTTVX VTTVX Vanguard Target Retirement 2025 Fund $20.42 +0.54% $73.27B - Financial Services
717 VPMCX VPMCX Vanguard PRIMECAP Fund Investor Shares $185.87 +1.23% $73.26B - Financial Services
718 AMFFX AMFFX American Funds American Mutual Fund Class F-1 $60.36 +0.65% $73.24B - Financial Services
719 TDG TDG TransDigm Group Incorporated $1,296.58 +5.15% $73.22B 455.3K Industrials
720 MSI MSI Motorola Solutions, Inc. $440.08 +0.04% $73.14B 705.7K Technology
721 CP.TO CP.TO Canadian Pacific Kansas City Ltd. $113.17 +0.86% $73.13B 904K Industrials
722 LLDTF LLDTF Lloyds Banking Group plc $1.25 -9.42% $73.1B 5K Financial Services
723 VPMAX VPMAX Vanguard PRIMECAP Fund Admiral Shares $192.52 +1.23% $72.93B - Financial Services
724 ABX.TO ABX.TO Barrick Gold Corporation $60.41 +1.73% $72.83B 3.91M Basic Materials
725 CI CI Cigna Corporation $272.60 -0.92% $72.82B 785.3K Healthcare
726 VRNA VRNA Verona Pharma plc $106.91 +0.11% $72.68B 1.87M Healthcare
727 SGIIX SGIIX First Eagle Global Fund $85.47 +0.85% $72.65B - Financial Services
728 FEGRX FEGRX First Eagle Global Fund Class R6 $85.51 +0.85% $72.65B - Financial Services
729 SGENX SGENX First Eagle Global Fund $84.84 +0.84% $72.65B - Financial Services
730 FESGX FESGX First Eagle Global Fund Class C $80.42 +0.84% $72.64B - Financial Services
731 EFA EFA iShares MSCI EAFE ETF $103.64 +0.81% $72.62B 16.51M Financial Services
732 NTES NTES NetEase, Inc. $113.60 +0.17% $72.52B 717.7K Technology
733 SLEGF SLEGF Silergy Corp. $188.10 +300.00% $72.3B 340 Technology
734 ROST ROST Ross Stores, Inc. $223.29 +1.06% $72.22B 1.69M Consumer Cyclical
735 AMFCX AMFCX American Funds American Mutual Fund $59.51 +0.66% $72.21B - Financial Services
736 BCMXY BCMXY Bank of Communications Co., Ltd. $22.00 +6.23% $72.19B 100 Financial Services
737 NNFSF NNFSF Nongfu Spring Co., Ltd. $6.40 0.00% $71.97B 500 Consumer Defensive
738 SMPNY SMPNY Sompo Holdings, Inc. $18.80 -0.11% $71.8B 9.5K Financial Services
739 EOG EOG EOG Resources, Inc. $133.59 -2.46% $71.67B 2.61M Energy
740 VLVLY VLVLY AB Volvo (publ) $35.02 +0.00% $71.21B 8K Industrials
741 HOOD HOOD Robinhood Markets, Inc. $79.09 +10.35% $71.21B 41.08M Financial Services
742 RRGSX RRGSX T. Rowe Price Growth Stock Fund R Class $90.15 +1.34% $71.19B - Financial Services
743 DASH DASH DoorDash, Inc. $163.53 +2.46% $71.04B 2.8M Communication Services
744 QQQM QQQM Invesco NASDAQ 100 ETF $258.78 +1.81% $70.9B 5.62M Financial Services
745 KNYJY KNYJY KONE Oyj $34.06 -0.70% $70.55B 5.2K Industrials
746 CTAS CTAS Cintas Corporation $176.14 +0.26% $70.47B 1.86M Industrials
747 IBIT IBIT iShares Bitcoin Trust ETF $42.13 +1.30% $70.46B 67.94M Financial Services
748 VLO VLO Valero Energy Corporation $235.58 -2.69% $70.44B 2.83M Energy
749 KMI KMI Kinder Morgan, Inc. $31.65 -1.31% $70.42B 12.56M Energy
750 BSV BSV Vanguard Short-Term Bond ETF $78.45 +0.11% $69.93B 1.79M Financial Services
751 VBIRX VBIRX Vanguard Short-Term Bond Index Fund Admiral Shares $10.26 0.00% $69.75B - Financial Services
752 SCRYY SCRYY SCOR Se $3.89 +5.65% $69.66B 2.5K Financial Services
753 TEL TEL TE Connectivity Ltd. $236.88 +1.09% $69.53B 1.5M Technology
754 USB-PP USB-PP U.S. Bancorp $22.15 +1.00% $69.49B 27.6K Financial Services
755 AON AON Aon plc $323.02 -0.73% $69.43B 1.12M Financial Services
756 ELV ELV Elevance Health Inc. $313.35 -0.86% $69.16B 1.35M Healthcare
757 FXNAX FXNAX Fidelity U.S. Bond Index Fund $10.51 +0.19% $69.09B - Financial Services
758 ABB ABB ABB Ltd $37.13 0.00% $69.02B 6.39M Industrials
759 IFNNF IFNNF Infineon Technologies AG $53.00 +3.41% $69.01B 100 Technology
760 PPWLM PPWLM PacifiCorp $193.25 -0.90% $69B 1 Utilities
761 GS-PJ GS-PJ The Goldman Sachs Group, Inc. $25.20 -0.03% $68.95B 58.4K Financial Services
762 TCANF TCANF TC Energy Corporation $13.90 0.00% $68.92B 1K Energy
763 IWD IWD iShares Russell 1000 Value ETF $224.75 +0.46% $68.64B 1.3M Financial Services
764 CNI CNI Canadian National Railway Company $111.96 +0.91% $68.54B 860.8K Industrials
765 SATA SATA Strive, Inc. Variable Rate Series A Perpetual Preferred Stock $97.95 +0.46% $68.44B 128.5K Financial Services
766 IFNNY IFNNY Infineon Technologies AG $52.56 +2.86% $68.44B 23.8K Technology
767 USB-PS USB-PS U.S. Bancorp Depositary Shares, $17.99 +0.50% $68.36B 68.7K Financial Services
768 CHCJY CHCJY China CITIC Bank Corporation Limited $20.73 +8.88% $68.32B 364 Financial Services
769 MS-PA MS-PA Morgan Stanley $19.40 +0.83% $68.31B 105.2K Financial Services
770 VFFVX VFFVX Vanguard Target Retirement 2055 Fund $68.77 +0.87% $67.88B - Financial Services
771 WBD WBD Warner Bros. Discovery, Inc. $27.37 -0.07% $67.88B 20.56M Communication Services
772 AMPCX AMPCX American Funds AMCAP Fund Class C $34.78 +1.52% $67.86B - Financial Services
773 CNR.TO CNR.TO Canadian National Railway Company $154.21 +0.86% $67.85B 668.2K Industrials
774 USB-PH USB-PH U.S. Bancorp $18.93 +0.69% $67.81B 67.1K Financial Services
775 RBSPF RBSPF NatWest Group plc $8.49 +1.31% $67.67B 6K Financial Services
776 CL CL Colgate-Palmolive Company $84.16 +0.21% $67.46B 7.64M Consumer Defensive
777 NSC NSC Norfolk Southern Corporation $299.70 +0.72% $67.3B 989.7K Industrials
778 DLR DLR Digital Realty Trust, Inc. $195.79 +2.05% $67.28B 1.68M Real Estate
779 IVW IVW iShares S&P 500 Growth ETF $124.69 +2.06% $67.2B 2.88M Financial Services
780 MPNGY MPNGY Meituan $22.10 -1.38% $67.15B 52.2K Consumer Cyclical
781 MS-PI MS-PI Morgan Stanley $25.16 +0.32% $67.1B 50K Financial Services
782 WPM WPM Wheaton Precious Metals Corp. $147.69 +1.97% $67.06B 2.15M Basic Materials
783 MPWR MPWR Monolithic Power Systems, Inc. $1,363.42 -0.64% $66.97B 539.6K Technology
784 NSTKF NSTKF PAO Novatek $22.29 0.00% $66.78B 22.2K Energy
785 APO APO Apollo Global Management, Inc. $114.82 +4.43% $66.64B 5.98M Financial Services
786 AMOVF AMOVF América Móvil, S.A.B. de C.V. $1.00 0.00% $66.57B 10.3K Communication Services
787 WPM.TO WPM.TO Wheaton Precious Metals Corp. $203.57 +1.88% $66.52B 588.9K Basic Materials
788 HKXCY HKXCY Hong Kong Exchanges and Clearing Limited $52.59 +0.19% $66.48B 3.8K Financial Services
789 AKSJF AKSJF Sberbank of Russia $2.95 0.00% $66.46B 30K Financial Services
790 LHX LHX L3Harris Technologies, Inc. $355.56 -0.67% $66.41B 892.6K Industrials
791 VCIT VCIT Vanguard Intermediate-Term Corporate Bond ETF $83.43 +0.28% $66.37B 13.05M Financial Services
792 SOBKY SOBKY SoftBank Corp. $13.75 -0.29% $66.2B 12.1K Communication Services
793 VNQ VNQ Vanguard Real Estate ETF $94.22 +0.95% $66.18B 1.75M Financial Services
794 JAPAY JAPAY Japan Tobacco Inc. $18.63 -0.69% $66.13B 4.8K Consumer Defensive
795 CIEN CIEN Ciena Corporation $467.19 -2.65% $66.09B 3.35M Technology
796 VTIP VTIP Vanguard Short-Term Inflation-Protected Securities ETF $50.16 +0.06% $66.06B 1.65M Financial Services
797 APD APD Air Products and Chemicals, Inc. $296.63 -0.68% $66.05B 970.1K Basic Materials
798 VICSX VICSX Vanguard Intermediate-Term Corporate Bond Index Fund Admiral Shares $22.43 +0.27% $66.03B - Financial Services
799 MPC MPC Marathon Petroleum Corporation $223.93 -0.60% $66B 1.45M Energy
800 PCAR PCAR PACCAR Inc $125.42 -1.54% $65.96B 3.02M Industrials
← « Anterior 1 2 6 7 8 9 10 397 398 Siguiente » →
Contáctenos
🎓
SharesGrow Academia
Aprende a calcular el Valor Intrínseco y encontrar acciones infravaloradas.
Sesiones semanales en vivo
Envíanos un mensaje